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FDPFresh Del Monte Produce Inc.
$29.22$1.4B
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HomeStocksFDPQuarterly Cash Flow

Fresh Del Monte Produce Inc. (FDP) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Fresh Del Monte Produce Inc. (FDP) quarterly cash flow statement — complete operating, investing & financing history

FDP Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations44.1M13.4M75M113.1M46.1M-4.7M43.5M125M18.7M-2.2M47.4M117.2M
Operating CF Margin %4.22%1.31%7.34%9.56%4.2%-0.47%4.26%10.97%1.69%-0.22%4.73%9.93%
Operating CF Growth %-4.34%385.11%72.41%-9.52%146.52%-113.64%-8.23%6.66%20.65%94.99%347.17%22.85%
Net Income10.7M31.9M-28.1M57.4M31.9M20.4M41.8M53.3M26.1M-106.5M8.9M48.2M
Depreciation & Amortization16.1M17.3M18.3M18.4M18.5M19.3M19.5M19.7M20M19.9M21.2M21.6M
Stock-Based Compensation2.5M02.4M2.6M2.3M2.1M2M2.2M600K2.3M2.5M2.8M
Deferred Taxes-1.2M10.4M4.2M-1.3M-5.3M500K300K500K1.3M2.2M1.2M-2.5M
Other Non-Cash Items16M2.2M45.4M-8.9M-1.1M-12.4M-12.6M-4.6M-12.3M128M3.2M-4.8M
Working Capital Changes0-48.4M32.8M44.9M-200K-34.6M-7.5M53.9M-17M-48.1M10.4M51.9M
Change in Receivables-62.9M-3.5M62.7M14.6M-38.7M-9.4M21.5M31M-52.9M-12.2M37.2M6.3M
Change in Inventory21M-29.5M-17.7M55.1M-5.4M-14.2M-47.7M37.1M23.3M-10M-7.1M64.4M
Change in Payables50.8M-36.1M-4.7M-23.8M00000-30.3M-16.8M-18M
Cash from Investing-282.2M-16.8M-10M-15.6M-8.8M19.4M-600K-2.3M3.9M-13.5M-3.8M-5.9M
Capital Expenditures-14.4M-28.1M-14.1M-11.6M-10M-17.6M-13.4M-8M-12.7M-17M-21.8M-8.9M
CapEx % of Revenue1.38%2.76%1.38%0.98%0.91%1.74%1.31%0.7%1.15%1.69%2.18%0.75%
Acquisitions-307.7M13.2M-4.2M800K-1.2M-1.8M-1.7M-1M-3.5M-900K-700K-2.6M
Investments------------
Other Investing39.9M-1.1M8.3M-4.8M2.4M38.8M14.5M6.7M20.1M4.4M18.7M5.6M
Cash from Financing244.7M-30.4M-54.1M-46.7M-34.5M-37.8M-27.8M-128.3M-16M-22.3M-11M-104.3M
Debt Issued (Net)00-28M-32M-11.1M-25.5M-15.4M-115M0-1M500K-72.2M
Equity Issued (Net)0-15M-7.2M0-7.6M0000-11.8M-100K-200K
Dividends Paid-14.2M-14.3M-14.3M-14.4M-14.4M-11.9M-12M-12M-11.9M-9.5M-9.6M-9.6M
Share Repurchases0-15M-7.2M0-7.6M0000-11.8M-100K-200K
Other Financing258.9M-1.1M-4.6M-300K-1.4M-400K-400K-1.3M-4.1M0-1.8M-22.3M
Net Change in Cash5.6M-61.5M11.7M51.1M1.8M-18.2M13M-4.4M8.4M-44.1M34.1M8.1M
Free Cash Flow29.7M-14.7M60.9M101.5M36.1M-22.3M30.1M117M6M-19.2M25.6M108.3M
FCF Margin %2.84%-1.44%5.96%8.58%3.29%-2.21%2.95%10.27%0.54%-1.91%2.55%9.18%
FCF Growth %-17.73%34.08%102.33%-13.25%501.67%-16.15%17.58%8.03%9.09%65.84%1380%30.01%
FCF per Share0.62-0.311.262.110.75-0.460.632.440.13-0.400.532.25
FCF Conversion (FCF/Net Income)4.41x0.42x-2.58x1.99x1.48x-0.23x1.03x2.33x0.72x0.02x5.64x2.46x
Interest Paid003.1M3.9M4.2M-9.9M4.5M4.5M5.4M4.7M5.3M6.9M
Taxes Paid006.8M3.8M1.8M4.2M4.7M3.3M3.8M2.7M3.5M4.6M